GRF_112_0_G: Determination of Capital Base (G)
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Australian Business Number
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Institution Name
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Reporting Period
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Scale Factor
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Reporting Consolidation
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Semi-Annual / Annual
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Thousands
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Level 2 Insurance Group
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Section 1: Capital base composition
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1. Tier 1 Capital
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1.1. Common Equity Tier 1 Capital
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1.1.1. Paid-up ordinary shares
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1.1.2. Retained earnings
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1.1.3. Undistributed current year earnings
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1.1.4. Accumulated other comprehensive income and other disclosed
reserves
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Of which:
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1.1.4.1. Unrealised gains or losses recognised on balance sheet
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1.1.4.2. Reserves from equity-settled share-based payments
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1.1.4.3. Cumulative unrealised gains or losses on hedges offsetting
gains or losses in Common Equity Tier 1 Capital
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1.1.4.4. Foreign currency translation reserve
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1.1.4.5. General reserve
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1.1.4.6. Other gains and losses in accumulated comprehensive income
and other disclosed reserves
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1.1.5. Minority interests
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1.1.6. Net surplus / (deficit) relating to insurance liabilities
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1.1.6.1. OCL surplus / (deficit) per GRF 115.0
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1.1.6.2. PL surplus / (deficit) per GRF 115.1
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1.1.6.3. Less: Tax effect of net OCL and PL surplus / (deficit)
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1.1.7. Less: Regulatory adjustments to Common Equity Tier 1 Capital
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1.1.7.1. Holdings of own Common Equity Tier 1 Capital instruments
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1.1.7.2. Cash flow hedge reserves relating to hedging of items not
recorded at fair value
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1.1.7.3. Excess of deferred tax assets over deferred tax liabilities
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1.1.7.4. Net unrealised fair value gains / (losses) from changes in
own credit worthiness
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1.1.7.5. Goodwill
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1.1.7.6. Other intangible assets
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1.1.7.7. Surplus in defined benefit superannuation fund
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1.1.7.8. Deficit in defined benefit superannuation fund
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1.1.7.9. Reinsurance assets related to reinsurance contracts that do
not meet the reinsurance documentation test
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1.1.7.10. Reinsurance assets receivable under reinsurance contracts
that do not meet governing law requirements
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1.1.7.11. Regulatory capital requirement of investments in JVs and
associates
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1.1.7.12. Investment in non-consolidated subsidiaries or controlled
entities
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1.1.7.13. Undercapitalisation of non-consolidated subsidiaries
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1.1.7.14. Assets under a fixed or floating charge
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1.1.7.15. Fair value adjustments
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1.1.7.16. Adjustments to Common Equity Tier 1 Capital due to shortfall
in Additional Tier 1 and Tier 2 Capital
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1.1.7.17. Other Common Equity Tier 1 Capital adjustments
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1.1.8. Adjustments and exclusions to Common Equity Tier 1 Capital
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1.2. Additional Tier 1 Capital
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1.2.1. Additional Tier 1 Capital instruments
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1.2.2. Less: Holdings of own Additional Tier 1 Capital instruments
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1.2.3. Less: Adjustments to Additional Tier 1 Capital due to shortfall
in Tier 2 Capital
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1.2.4. Adjustments and exclusions to Additional Tier 1 Capital
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1.2.5. Transitional Additional Tier 1 Capital
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1.3. Tier 1 Capital
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2. Tier 2 Capital
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2.1. Eligible Tier 2 Capital instruments
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2.2. Less: Holdings of own Tier 2 Capital instruments
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2.3. Adjustments and exclusions to Tier 2 Capital
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2.4. Transitional Tier 2 Capital
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3. Capital base
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